You are here

Home » Accounting » » Account Detail

Fund 795 - State Investment Board Commingled Monthly Bond Account

<< Fund Reference Manual

Authority:
Admin Agency:
State Investment Board - 1260
Cash Type:
1 - Treasury Fund
SAAM Budget Type:
Nonappropriated/Nonallotted (N)
Earnings from Investments are:
Credited to the general fund under RCW 43.84.092(4).
Description:
To administer the investment activities of the board, through a combined investment pool with a single account for investing monies in fixed rate bond investments.
Sources of Revenue:
Revenues are not applicable to this fund type
Clientele:
User agencies
Effective Date:
07/01/1982
Inactive Date:
Public Notes:

ACFR Information



Account Code:
795
Account Title:
State Investment Board Commingled Monthly Bond Account
Fund Type:
HD - Custodial Funds
Rollup Fund:
KD - Pooled Investments Fund (Non-Financial R
Closing GL Code:
9584 - Restricted for Custodial